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Format description SEPA DD ISO20022 (for Euro Direct

Debits)

Version, date 1.4, 24 April 2013


Project Rabo Cash Management

1
Colophon

Title SEPA Direct Debit format description

Version, date 1.4, 24 April 2013

Our reference Formatenboek COS SEPA DD

On behalf of Corporates, Operations & Services

Contact address Rabobank International,


Internal address: UCR 191
Croeselaan 18,
Postbus 2626
3500 HG Utrecht

 Rabobank, 2013

Niets uit dit werk mag worden verveelvoudigd en/of openbaar gemaakt door middel van druk, fotokopie of op welke
andere wijze dan ook, daaronder mede begrepen gehele of gedeeltelijke bewerking van het werk, zonder voorafgaande
schriftelijke toestemming of the Rabobank.

No part of this publication may be reproduced in any form by print, photo print, microfilm or any other means without written
permission by Rabobank.

Rabobank Nederland SEPA Direct Debit format description April 2013 2


Index

1 SEPA DD Import format 4


1.1 SEPA DD import format description 4
1.1.1 Description 4
1.1.2 General characteristics 4
1.1.3 Difference between Import orders and Import batch 4
1.2 SEPA DD Structure 4
1.2.1 Introduction 4
1.2.2 Technical mapping 5
1.2.3 Character set 6
1.2.4 Suitability 6
1.2.5 Message structure 7

2 Segment description 9
2.1 Group Header 9
2.2 Payment Information Segment 10
2.3 Transaction Information Segment 14

3 Appendix A Party identifier 20


3.1 Organisation Identification 20
3.2 Private identification 21

4 Appendix B Calculating the Creditor Identifier 23

Rabobank Nederland SEPA Direct Debit format description April 2013 3


1 SEPA DD Import format
Rabobank Cash Management (RCM) enables importing Euro Direct Debits in the XML
Customer Direct Debit Initiation message pain.008.001.02. This direct debit initiation format
is based on the guideline provided by the Nederlandse Vereniging van Banken (NVB). The
guideline is available here.

Euro Direct Debits are SEPA compliant direct debits within the SEPA area in currency Euro.

1.1 SEPA DD import format description

1.1.1 Description

The XML Customer Direct Debit Initiation message pain.008.001.02 is used to instruct your
bank to credit your account and debit a debtor. The pain.008.001.02 is delivered in a single
file, one file can contain one or more batches, and the structure within the file is modular. One
record within the file contains information which from a functional perspective belongs
together.

1.1.2 General characteristics

The pain.008 format which is supported by Rabobank is based on the definitions which are
published here on the website of the International Organization for Standardization (XML
ISO20022). Usage of the mentioned standard in this document is limited to the usage in the
Rabo Cash Management (RCM) system, because RCM does not support all possibilities which
are offered for this format.

1.1.3 Difference between Import orders and Import batch

RCM offers two import options, “Import orders” and “Import batch”. “Import orders” is used
to import single Euro Direct Debits that can still be modified in RCM. Files imported by either
option are processed and reported as a batch (the specifications of the batch can be
downloaded in the SWIFT MT940 Structured, SWIFT MT940 Extended, or CAMT.053
export formats).

Pain.008 files imported via option “Import batch” are passed on 1 on 1. Pain.008 files
imported via option “Import orders” are stripped of any fields not supported by Rabobank.
The fields supported by Rabobank are listed in the tables in chapter 2.

1.2 SEPA DD Structure

1.2.1 Introduction

The models in the ISO20022 document are described in XML using schemas. A specific
description language (XSD) is used in a schema. By using the schema’s a description can be
given to the tags in the document, the structure and the concatenation of the beacons (the order
of the tags) as well as the allowed codes for certain fields, the number of possible cases,
mandatory or optional usage for certain fields.

Rabobank Nederland SEPA Direct Debit format description April 2013 4


1.2.2 Technical mapping

The usage rules must be followed in order to avoid that the message or the payment will be
rejected or that the information within the message will be refused. Only message elements
which are described within the guidelines are allowed to be used.

The description of each message item contains:


Name Name of the element within the pain.008 message
XML-Tag Short name to identify an element within a XML message, presented
between brackets, f.e. <Amount>
ISO reference Numbering following the ISO 20022 standard.
Not all fields are numbered. Fields can be a subset of the parenting element.
Holes in the numbering do exist because not all elements of ISO20022 are
supported for pain.008.
Level Level of the element within SEPA DD
<Top>
<Level 1>
<Level 2>
<Etc./>
</Level 2>
</Level 1>
</Top>
Presence This determines if an element is optional or mandatory, and how many
times the element can be repeated. The number of times that an element can
appear is presented between square brackets.

For example:
[0..1] Shows that the element can appear 0 or 1 time.
The element is optional.
[0..n] Shows that the element can appear 0 or n time(s).
The element is optional.
[1..1] Shows that the element is mandatory and must appear once.
[1..n] Shows that the element is mandatory and must appear at least once.
The element can be presented n times.

Only when an optional element is present, which contains a mandatory


element on a deeper level, this element must be present.
Type Field type indication:
Numeric: only numbers are allowed
Alphanumeric: may contain numbers and allowed characters (ref.
1.2.3 Character set)
Date: YYYY-MM-DD
Amount: numbers, with a decimal point as separator. Maximum
length is 9 digits before the separator, and two behind it. Exception for this
rule is the control sum.
Boolean: field with two options: ‘true’ or ‘false’
Length Maximum number of positions in the field.
Description Contains the definition of the message segment or –element. Additional
information about usage of the element.

Rabobank Nederland SEPA Direct Debit format description April 2013 5


1.2.3 Character set

In UNIFI messages the UTF8 character set must be used.


The Latin character set, which is commonly used for international communication, must be
used.
Rabobank accepts the following characters1:

abcdefghijklmnopqrstuvwxyz
ABCDEFGHIJKLMNOPQRSTUVWXYZ
0123456789
/ - ? : ( ) . , ' + spatie

1.2.4 Suitability

Pain.008 messages are suitable for:


 SEPA Direct Debit batches, known within Rabobank as Euro Direct Debits.

Pain.008 messages are not suitable for:


 Domestic and foreign payments from a Rabobank account
 Domestic and foreign payments from an In Country2 account
 Domestic and foreign payments from a Cross Country3 account
 Domestic direct debits from a Cross Country account
 Domestic direct debits which are not compliant with the SEPA DD4 rule book

1
Rabobank may accept diacritic marks (For example á or ö) and will not convert them to characters defined in section
1.2.3. By including diacritic marks in your SEPA order(s), you risk rejection of your order(s).
2 This is an account which is not held with Rabobank and which is used to send payments to a beneficiary account with
the same currency and from the same country as the ordering account.
3 This is an account which is not held with Rabobank and which is used to send payments to a foreign beneficiary
account, or to a beneficiary in the same country but in another currency.
4 Conditions can be found here:
www.rabobank.nl/bedrijven/producten/betalen_en_ontvangen/geld_ontvangen/euro_incasso/default

Rabobank Nederland SEPA Direct Debit format description April 2013 6


1.2.5 Message structure

Pain.008 can be delivered via data communication.

The messages can contain one or more orders for one ordering account. The messages must be
terminated after each section, for all orders per ordering account.
The complete file must contain one Group header and can contain one or more orders. The file
must be terminated after all orders.

The modular structure of the SEPA DD file is described below.

More information about the message structure is available via the following webpage:
http://www.iso20022.org

Pain.008 Message

GroupHeader

Debtor
(Payment)

Creditor
(Transaction)

Creditor
(Transaction)

Debtor
(Payment)
Creditor
(Transaction)
The message consist of 3 segments:
1. Group Header
This segment is mandatory and is present only once within the message It contains
elements such as Message Identification, Creation Date and Time, Grouping Indicator.
2. Payment Information
This segment is mandatory and can be present more than once. Apart from elements
which concern the debit side of the order such as Debtor and Payment Type
Information, it also contains one or more Transaction Information segments.
3. Transaction Information
This segment is mandatory and can be present more than once. It contains elements
which concern the credit side of the order such as Creditor and Remittance
Information.

Rabobank Nederland SEPA Direct Debit format description April 2013 7


Every segment in the UNIFI file must be opened and closed according to the XSD standard.
Between the opening tag and closing tag the information for the relevant segment can be
found.
<?xml version="1.0" encoding="utf-8"?>
<Document xmlns="urn:iso:std:iso:20022:tech:xsd:pain.008.001.02"
xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance">
<CstmrDrctDbtInitn>
<GrpHdr> Information regarding the Group header
</GrpHdr>
<PmtInf>
Information regarding the payment
<CdtTrfTxInf>
Information regarding the order
<CdtTrfTxInf>
</PmtInf>
</CstmrDrctDbtInitn>
</Document>

Rabobank Nederland SEPA Direct Debit format description April 2013 8


2 Segment description
Fields not listed in the tables below are not supported by Rabobank and, if imported through option “Import orders”, will not be included in the
resulting Euro Direct Debit executed by Rabobank. Further, the processing per field may differ if the pain.008 is imported through option “Import
orders” or “Import batch”. If so, the different processing is explained in column “Description”.

2.1 Group Header

The following segments are applicable for SEPA DD messages.


Name ISO reference XML-tag Level Presence Type Length Description
Document <Document> Top [1..1]
<CstmrDrctDbtInitn> Top [1..1]

Group Header 1.0 <GrpHdr> Top [1..1]


Message Identification 1.1 <MsgId> 1 [1..1] Alphanumeric 35 Unique file reference.
Creation Date Time 1.2 <CreDtTm> 1 [1..1] Date + time Creation date and time of the file.
Example: 2011-02-03T11:20:45.
Number of Transactions 1.6 <NbOfTxs> 1 [1..1] Numeric 15 The number of transaction within the file.
Control Sum 1.7 <CtrlSum> 1 [0..1] Amount 18 Total amount of all individual transactions
within the file. Decimals are separated by a
point “.”.
Initiating Party 1.8 <InitgPty> 1 [1..1]
Name <Nm> 2 [0..1] Alphanumeric 70 Name of the ordering party.
Identification <Id> 2 [0..1] Details on how to structure this tag are
available in Appendix A.

9
2.2 Payment Information Segment

Name ISO reference XML-tag Level Presence Type Length Description


PaymentInformation 2.0 <PmtInf> Top [1..n]
PaymentInformationIdentification 2.1 <PmtInfId> 1 [1..1] Alphanumeric 35 Reference number of the Batch/PI
Exception for RCM ”Import orders”: the
reference number is overwritten by a reference
number generated by Rabobank.
PaymentMethod 2.2 <PmtMtd> 1 [1..1] Alphanumeric 2 Fixed value ‘DD’ for direct debits.
Batch Booking 2.3 <BtchBookg> 1 [0..1] Boolean 5 ‘true’: the total amount of all transactions within
this segment will be reported.
When value ‘false’ is provided, this will be
overwritten by Rabobank with the value ‘true’.

NumberofTransactions 2.4 <NbOfTxs> 1 [0..1] Numeric 15 The number of transactions within this Batch/PI.
ControlSum 2.5 <CtrlSum> 1 [0..1] Amount 18 Total amount of all transactions within this
segment. Decimals are separated by a point “.”.
PaymentTypeInformation 2.6 <PmtTpInf> 1 [1..1]5
ServiceLevel 2.8 <SvcLvl> 2 [1..1]5
Code 2.9 <Cd> 3 [1..1]6 Alphanumeric 4 Fixed value ‘SEPA’.
LocalInstrument 2.11 <LclInstrm> 2 [1..1]5
Code 2.12 <Cd> 3 [1..1]6 Alphanumeric 4 Fixed value ‘CORE’ for direct debits with a
private person as debtor.
Fixed value ‘B2B’ for direct debits between
companies.
In one file all Batches/PIs must have the same
value.

5
This field is optional in ISO 20022 standard, but Rabobank has set the occurrence to mandatory as the EPC has set this field to Mandatory
6
ISO 20022 standard defines this field as conditional, but Rabobank has set this field to mandatory

Rabobank Nederland SEPA Direct Debit format description April 2013 10


Name ISO reference XML-tag Level Presence Type Length Description
SequenceType 2.14 <SeqTp> 2 [1..1]5 Alphanumeric 4 Fixed value ‘FRST’ for the first direct debit
within the accompanying mandate
Fixed value ‘RCUR’ for the following direct
debits within the accompanying mandate
Fixed value ‘FNAL’ for the last direct debit
within the accompanying mandate
Fixed value ‘OOFF’ for a single direct debit
without continuation within the mandate.

If the ‘Amendment indicator’ (field 2.50) is


‘true’ and the ‘Original Debtor Agent’(field
2.58) is ‘SMNDA’ than ‘FRST’ must be
selected.
After a rejection of a ‘FRST’ or ‘OOFF’ the new
direct debit must be assigned as
‘FRST’

If a ‘FRST’ is reversed of cancelled (only for


‘CORE’) the new direct debit must be assigned
as ‘RCUR’

If a ‘OOFF’ is reversed of cancelled (only for


‘CORE’) the new direct debit must be entered
with a completely new mandate.
CategoryPurpose 2.15 <CtgyPurp> 2 [0..1] Should not be used for direct debits.

Rabobank Nederland SEPA Direct Debit format description April 2013 11


Name ISO reference XML-tag Level Presence Type Length Description
Code 2.16 <Cd> 3 [1..1] Alphanumeric 4 Rabobank accepts and passes all ISO Category
Purpose codes on to the debtor bank (see
http://www.iso20022.org/external_code_list.page
for the current list of ISO Category Purpose
codes). Rabobank will however not act on any
provided code.

RequestedCollectionDate 2.18 <ReqdColltnDt> 1 [1..1] Date 10 The requested collection date.


SEPA direct debits must be delivered on time.
This is dependent on the type of the direct debit
(CORE or B2B) and the sequence.
Creditor 2.19 <Cdtr> 1 [1..1]5
Name <Nm> 2 [1..1] Alphanumeric 70 Name of the creditor.
PostalAddress <PstlAdr> 2 [0..1]
Country <Ctry> 3 [0..1] Alphanumeric 2 Country code of the creditor.
Address line <AdrLine> 3 [0..2]7 Alphanumeric 70 Address of the creditor.
1st line: Street and house number.
2nd line: Postal code and place.

CreditorAccount 2.20 <CdtrAcct> 1 [1..1]


Identification <Id> 2 [1..1]
IBAN <IBAN> 3 [1..1] Alphanumeric 34 IBAN account number of creditor.
Currency <Ccy> 2 [0..1] Alphanumeric 3 ISO currency code of the account.

CreditorAgent 2.21 <CdtrAgt> 1 [1..1]


FinancialInstitutionIdentification <FinInstnId> 2 [1..1]
BIC <BIC> 3 [0..1] Alphanumeric 11 SWIFT BIC code of the remitting bank. This tag
is optional and can be omitted in the message.

7
ISO 20022 standard allows up to 7 occurrences, but the EPC has limited the number of occurrences to 2.

Rabobank Nederland SEPA Direct Debit format description April 2013 12


Name ISO reference XML-tag Level Presence Type Length Description

UltimateCreditor 2.23 <UltmtCdtr> 1 [0..1] This element must be present once. This can be
on Batch/PI level here, or on the individual
transaction within this Batch/PI (field 2.69).
Name <Nm> 2 [0..1] Alphanumeric 70 Name of the ultimate creditor, in case of a
delegated remitter.
Rabobank passes this information on to the
debtor bank.
Exception for RCM ”Import orders”: This
information is not passed on to the debtor bank.
Identification <Id> 2 [0..1] Details on how to structure this tag are available
in Appendix A.

Charge Bearer 2.24 <ChrgBr> 1 [0..1] Alphanumeric 4 Fixed value ‘SLEV’


This element can be on BATCH/PI level or on
transaction level, but not both. (field 2.45).
CreditorSchemeIdentification 2.27 <CdtrSchmeId> 1 [0..1] This element can be on BATCH/PI level or on
transaction level within this segment (field 2.66)
Identification <Id> 2 [1..1]5
PrivateIdentification <PrvtId> 3 [1..1] Exception for RCM ”Import orders”: The
transaction will be rejected, when the element
‘Date and Place of Birth’ is provided under
Private identification.
Other <Othr> 4 [1..1]8 Exception for RCM ”import orders”: The
transaction will be rejected, when the element
‘Issuer’ is provided under Other.
Identification <Id> 5 [1..1] Alphanumeric 35 Details on the make up of this tag are available
in appendix B.

8
This field is optional in the ISO 20022 standard and supports n occurrences, but the EPC has limited the number of occurrences to 1 and has made the usage of this field mandatory.

Rabobank Nederland SEPA Direct Debit format description April 2013 13


Name ISO reference XML-tag Level Presence Type Length Description
SchemeName <SchmeNm> 5 [1..1]5
Proprietary <Prtry> 6 [1..1] Alphanumeric 4 Fixed value ‘SEPA’.

2.3 Transaction Information Segment

Name ISO reference XML-Tag Level Presence Type Length Description


DD Transaction Information 2.28 <DrctDbtTxInf> 1 [1..n]
PaymentIdentification 2.29 <PmtId> 2 [1..1]
InstructionIdentification 2.30 <InstrId> 3 [0..1] Alphanumeric 35 Unique direct debit reference of the remitter.
This information isn’t sent to the debtor.
EndToEndIdentification 2.31 <EndToEndId> 3 [1..1] Alphanumeric 35 End-to-End Reference number of the direct
debit. This information is sent to the debtor.

InstructedAmount 2.44 <InstdAmt> 2 [1..1] Amount 12 Amount of the direct debit in EUR.
Decimals are separated by a point “.”
The amount must be between 0.01 and
999999999.99 EUR.
ChargeBearer 2.45 <ChrgBr> 2 [0..1] Alphanumeric 4 Fixed value ‘SLEV’
This element can be on BATCH/PI level or
on transaction level, but not both (field
2.24).

DirectDebitTransaction 2.46 <DrctDbtTx> 2 [1..1]5


MandateRelatedInformation 2.47 <MndtRltdInf> 3 [1..1]5
MandateIdentification 2.48 <MndtId> 4 [1..1]5 Alphanumeric 35 Unique reference of the mandate which is
signed between the remitter and the debtor.
DateOfSignature 2.49 <DtOfSgntr> 4 [1..1]5 Date 10 Date of signature of the mandate.

Rabobank Nederland SEPA Direct Debit format description April 2013 14


Name ISO reference XML-Tag Level Presence Type Length Description
Amendment Indicator 2.50 <AmdmntInd> 4 [0..1] Boolean 5 ‘true’ if there is an amendment to the
mandate.
‘false’ if there is no amendment to the
mandate.
If this indicator isn’t present it is assumed
that there is no amendment to the mandate.
Amendment Information Details 2.51 <AmdmntInfDtIs> 4 [0..1] Mandatory if field 2.50 is ‘true’.
Not applicable if field 2.50 is ‘false’.
Original Mandate Identification 2.52 <OrgnlMndtId> 5 [0..1] Alphanumeric 35 Mandatory if the mandate information has
been changed.

Original Creditor Scheme 2.53 <OrgnlCdtrSchmeId> 5 [0..1] Mandatory if field 2.66 has been changed in
Identification comparison to the original direct debit.
Otherwise the field is not used.
Name <Nm> 6 [0..1] Alphanumeric 70 Original name of the remitter. If a name is
filled in in this field than the new name must
be filled in field 2.66.
Identification <Id> 6 [0..1]
Private identification <PrvtId> 7 [1..1]
Other <Othr> 8 [1..1]5
Identification <Id> 9 [1..1] Alphanumeric 35 Details on the make up of this tag are
available in appendix B.
Scheme Name <SchmeNm> 9 [1..1]5
Proprietary <Prtry> 10 [1..1] Alphanumeric 4 Fixed value ‘SEPA’.

Original Debtor Account 2.57 <OrgnlDbtrAcct> 5 [0..1] Original account identification of the debtor
if the debtor account has been changed. Only
applicable if the debtor agent didn’t change.
Identification <Id> 6 [1..1]

Rabobank Nederland SEPA Direct Debit format description April 2013 15


Name ISO reference XML-Tag Level Presence Type Length Description
IBAN <IBAN> 7 [1..1] Alphanumeric 34 IBAN account number.
Original Debtor Agent 2.58 <OrgnlDbtrAgt> 5 [0..1] If the debtor agent changes, but the mandate
remains the same:
In segment 2.58 field Identification must be
filled with the fixed value ‘SMNDA’
In segment 2.14 it must be assigned the
sequence is ‘FRST’.
Financial Institution Identification <FinInstnId> 6 [1..1]
Other <Othr> 7 [0..1]
Identification <Id> 8 [1..1] Alphanumeric 34 ‘SMNDA’.

Electronic Signature 2.62 <ElctrncSgntr> 4 [0..1] Alphanumeric 1025 Digital signature delivered by the remitter.
This field is only applicable in case of an
EPC electronic mandate has been issued.
This field must contain the AT-60: the
reference of the Mandate Acceptance Report
made by the debtor bank.
Creditor Scheme Identification 2.66 <CdtrSchmeId> 3 [0..1] Alphanumeric 35 This element must be present once. This can
be within the individual transaction here, or
on Batch/PI level (field 2.27).
Identification <Id> 4 [1..1]5
Private identification <PrvtId> 5 [1..1]
Other <Othr> 6 [1..1]5
Identification <Id> 7 [1..1] Alphanumeric 35 See appendix B.
Scheme Name <SchmeNm> 7 [1..1]5
Proprietary <Prtry> 8 [1..1] Alphanumeric 4 Fixed value ‘SEPA’.

Rabobank Nederland SEPA Direct Debit format description April 2013 16


Name ISO reference XML-Tag Level Presence Type Length Description
Ultimate Creditor 2.69 <UltmtCdtr> 2 [0..1] This element can be present at all individual
transaction here, or on Batch/PI level (field
2.23).
Name <Nm> 3 [0..1] Alphanumeric 70 Name of the ultimate creditor, in case of a
delegated remitter.
Rabobank passes this information on to the
debtor bank.
Exception for RCM ”Import orders”: This
information is not passed on to the debtor
bank .
Identification <Id> 3 [0..1] Details on how to structure this tag are
available in Appendix A.

Debtor Agent 2.70 <DbtrAgt> 2 [1..1]


Financial Institution Identification <FinInstnId> 3 [1..1]
BIC <BIC> 4 [0..1] Alphanumeric 11 SWIFT BIC code of the bank of the debtor
This tag is optional and can be omitted in the
message.
Rabobank will always determine the BIC
itself. When Rabobank can determine the
BIC, a provided BIC will be overwritten.
When Rabobank cannot determine the BIC,
the transaction will be rejected in case the
BIC was not provided by the customer.

Debtor 2.72 <Dbtr> 2 [1..1]


Name <Nm> 3 [1..1]5 Alphanumeric 70 Name of the debtor.
Postal Address <PstlAdr> 3 [0..1]
Country <Ctry> 4 [1..1] Alphanumeric 2 Country code of the debtor.

Rabobank Nederland SEPA Direct Debit format description April 2013 17


Name ISO reference XML-Tag Level Presence Type Length Description
Address Line <AdrLine> 4 [0..2]7 Alphanumeric 70 Address of the debtor.
1st line: Street and house number
2nd line: Postal code and place.
Identification <Id> 3 [0..1] Details on how to structure this tag are
available in Appendix A.

Debtor Account 2.73 <DbtrAcct> 2 [1..1]


Identification <Id> 3 [1..1]
IBAN <IBAN> 4 [1..1] Alphanumeric 34 IBAN account number of the debtor.

Ultimate Debtor 2.74 <UltmtDbtr> 2 [0..1] Mandatory field if specified within the
mandate.
Name <Nm> 3 [0..1] Alphanumeric 70 Name of the ultimate debtor of the
transaction, in case of a delegated debtor.
Identification <Id> 3 [0..1] Details on how to structure this tag are
available in Appendix A.

Purpose 2.76 <Purp> 2 [0..1]


Code 2.77 <Cd> 3 [1..1] Alphanumeric 4 Code of the business purpose of the direct
debit. This code is an agreement between the
debtor and the creditor. Rabobank doesn’t
check this code.

Remittance Information 2.88 <RmtInf> 2 [0..1] Only one of the underlying field can be used,
not both. (2.89 and 2.90) .
Unstructured 2.89 <Ustrd> 3 [0..1]9 Alphanumeric 140 Description. Within the Netherlands the
unstructured remittance information is
preferred.

9
ISO 20022 standard supports n occurrences, but the EPC has limited the number of occurrences to 1

Rabobank Nederland SEPA Direct Debit format description April 2013 18


Name ISO reference XML-Tag Level Presence Type Length Description
Structured 2.90 <Strd> 3 [0..1]9 Structured remittance information used for
automatic reconciliation. This field can be
used for the structured information known
on the Dutch market: the 16 digit payment
reference (“betalingskenmerk”).
Within the Netherlands the unstructured
remittance information is preferred.
Creditor Reference Information 2.110 <CdtrRefInf> 4 [0..1]
Type 2.111 <Tp> 5 [1..1]5 ‘SCOR’ in case of a “betalingskenmerk”.
CodeOrProprietary 2.112 <CdOrPrtry> 6 [1..1]
Code 2.113 <Cd> 7 [1..1]10 Alphanumeric 4
Issuer 2.115 <Issr> 6 [0..1] Alphanumeric 35 ‘CUR’ in case of a “betalingskenmerk”
Reference 2.116 <Ref> 5 [1..1]5 Alphanumeric 35 Only Currence 16 digit payment reference
(“betalingskenmerk”) is currently supported.

10
ISO 20022 standard defines this field as conditional, but Rabobank has set this field to mandatory

Rabobank Nederland SEPA Direct Debit format description April 2013 19


3 Appendix A Party identifier
This appendix describes how the Party Identifier should be filled and how RCM handles the Party Identifier for the two import methods described in
section 1.1.3.

The described structure is applicable for the following fields:


1.8 2.23 2.69 2.72 2.74

Within the identification of the party only one of the two elements can be used: Organisation ID or Private Identification.

3.1 Organisation Identification

For the identification of the organisation the BIC must be filled. In one occurrence you can use ‘other’. The three columns to the right indicate per
XML-tag whether the information is passed on to the beneficiary bank (X) or is ignored and not passed on (-).
Name XML-tag Level Presence Type Length Description

RCM ”Import orders”


(1.8 Initiating Party)

upload (all fields)


(all other fields)
RCM ”Import

RCM ”Import
batch”

batch”
Organisation <OrgId> +1 [1..1]
Identification
BIC or BEI <BICOrBEI> +2 [0..1] Alphanumeric 11 BIC of the organisation - X -
Other <Othr> +2 [0..1]
Identification <Id> +3 [1..1] Alphanumeric 35 - X -
Scheme Name <SchmeNm> +3 [0..1]
Code <Cd> +4 [1..1] Alphanumeric 4 The - X -
ExternalOrganisationIdentification1Cod
e

Rabobank Nederland SEPA Direct Debit format description April 2013 20


Name XML-tag Level Presence Type Length Description

RCM ”Import orders”


(1.8 Initiating Party)

upload (all fields)


(all other fields)
RCM ”Import

RCM ”Import
batch”

batch”
This code can be found on
http://www.iso20022.org/External_Code
_Lists_and_DSS.page
Tab 9: OrganisationIdentification
Proprietary <Prtry> +4 [1..1] Alphanumeric 35
Issuer <Issr> +3 [0..1] Alphanumeric 35

3.2 Private identification

For the private identification the date and place of birth must be filled. In one occurrence you can use ‘other’. The three columns to the right indicate
per XML-tag whether the information is passed on to the beneficiary bank (X) or is ignored and not passed on (-).

RCM ”Import orders” (all


Name XML-tag Level Presence Type Length Description

RCM ”Import batch”

RCM ”Import batch”

RCM ”Import orders”


(1.8 Initiating Party)

(all other fields)

(2.72 Debtor)

other fields)
Private Identification <PrvtId> +1 [1..1]
Date And Place Of <DtAndPlcOfBirth> +2 [0..1]

Rabobank Nederland SEPA Direct Debit format description April 2013 21


RCM ”Import orders” (all
Name XML-tag Level Presence Type Length Description

RCM ”Import batch”

RCM ”Import batch”

RCM ”Import orders”


(1.8 Initiating Party)

(all other fields)

(2.72 Debtor)

other fields)
Birth
Birth date <BirthDt> +3 [1..1] Date 10 - X - -
Province of Birth <PrvcOfBirth> +3 [0..1] Alphanumeric 35 - X - -
City of Birth <CityOfBirth> +3 [1..1] Alphanumeric 35 - X - -
Country of Birth <CtryOfBirth> +3 [1..1] Alphanumeric 3 ISO country code - X - -
Other <Othr> +2 [0..1]
Identification <Id> +3 [1..1] Alphanumeric 35 - X X -
Scheme Name <SchmeNm> +3 [0..1]
Code <Cd> +4 [1..1] Alphanumeric 4 The ExternalPersonIdentification1Code - X - -
This code can be found on
http://www.iso20022.org/External_Cod
e_Lists_and_DSS.page
Tab 10: PersonIdentification
Proprietary <Prtry> +4 [1..1] Alphanumeric 35 - X - -
Issuer <Issr> +3 [0..1] Alphanumeric 35 - X - -

Rabobank Nederland SEPA Direct Debit format description April 2013 22


4 Appendix B Calculating the Creditor Identifier
This appendix describes the NVB rules for calculating the Creditor Identifier for the Dutch market. This code must be used conform the
implementation guidelines version 2.0 of the NVB, chapter 1.5.2 SEPA B2B DD C2B.

The described calculation can be used for the following fields:


2.27 2.53 2.66

Calculating the Creditor Identifier:


The Creditor Identifier is calculated based on the chamber of commerce (KVK)-number of the remitter. The structure of the creditor
identifier is equal to the structure of the IBAN account number.

Example:
The NVB has KVK-number 40536533, location code 0000.
The basic Creditor Identifier will be: NL00ZZZ405365330000

Calculating the control digits is done by following the steps:


1. Move NL00 to the end of the basic Creditor Identifier. Remove ZZZ 405365330000NL00
2. Replace NL by the numeric value, where A=10 and Z = 35, so N=23 and L=21 405365330000232100
3. Calculate the modulus 97 of the created number in step 2 47
4. Substract the number created in step 3 from 98, this will generate the control digit 51

The Creditor Identifier of NVB will be NL51ZZZ405365330000

Rabobank Nederland SEPA Direct Debit format description April 2013 23

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